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首页 公告 理工光科:2021年度财务决算报告

理工光科:2021年度财务决算报告

公告日期:2022-03-31

理工光科:2021年度财务决算报告 PDF查看PDF原文

              武汉理工光科股份有限公司

                2021 年度财务决算报告

    武汉理工光科股份有限公司(以下简称“公司”)2021 年 12 月 31 日合并
 及母公司资产负债表、2021 年度合并及母公司利润表、2021 年度合并及母公司 现金流量表、2021 年度合并及母公司股东权益变动表及相关报表附注已经立信 会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。

    一、2021 年度主要财务数据指标

                                                              单位:元

          项目                  2021 年            2020 年          同比增减

营业收入                      443,777,501.66    425,776,479.87        4.23%

归属于上市公司股东的净利润    13,502,300.93      13,345,444.95        1.18%

归属于上市公司股东的扣除非    3,427,476.66      4,139,852.17        -17.21%
经常性损益的净利润

经营活动产生的现金流量净额    11,536,100.89      23,901,128.86        -51.73%

基本每股收益(元/股)              0.24              0.24              -

稀释每股收益(元/股)              0.24              0.24              -

加权平均净资产收益率              2.73%              2.69%            0.04%

          项目                  2021 年            2020 年          同比增减

资产总额                    1,120,398,468.27  1,046,211,165.75      7.09%

归属于上市公司股东的净资产    502,201,798.19    488,587,278.78        2.79%

    二、财务状况、经营成果和现金流量情况分析


                          2021 年末资产及负债情况

                                                              单位:元

          项目                2021 年末          2020 年末          同比增减

货币资金                    190,024,080.55    229,268,773.61        -17.12%

应收票据                      28,447,704.65      31,603,657.47        -9.99%

应收账款                    288,392,649.06    245,554,695.90        17.45%

预付款项                      23,073,131.23      21,248,839.45        8.59%

其他应收款                    15,739,252.68      16,309,296.25        -3.50%

存货                        273,756,394.86    200,574,572.75        36.49%

合同资产                      73,896,349.94      67,910,189.19        8.81%

其他流动资产                  699,961.07        3,093,743.26        -77.37%

流动资产合计                894,029,524.04    815,563,767.88        9.62%

长期股权投资                  42,209,455.67      39,146,403.88        7.82%

固定资产                    124,681,244.46    131,632,350.12        -5.28%

在建工程                      6,925,727.08      1,676,282.27        313.16%

无形资产                      15,243,967.38      16,857,999.35        -9.57%

递延所得税资产                15,760,503.18      14,766,241.70        6.73%

其他非流动资产                21,548,046.46      26,568,120.55        -18.90%

非流动资产合计              226,368,944.23    230,647,397.87        -1.85%

资产总计                    1,120,398,468.27  1,046,211,165.75        7.09%

短期借款                      35,762,937.71      70,000,000.00        -48.91%

应付票据                      67,010,440.19      52,689,965.33        27.18%

应付账款                    202,692,906.93    175,607,469.66        15.42%

合同负债                    207,436,475.53    160,392,977.42        29.33%

应付职工薪酬                  14,673,590.00      16,760,201.02        -12.45%

应交税费                      10,038,313.33      6,499,375.52        54.45%

其他应付款                    2,801,525.36      3,286,569.10        -14.76%

其他流动负债                  27,166,302.38      20,853,834.87        30.27%

流动负债合计                567,582,491.43    506,090,392.92        12.15%

预计负债                      7,879,122.69      8,278,611.80        -4.83%

递延收益                      1,103,903.49      8,279,380.27        -86.67%

非流动负债合计                8,983,026.18      16,557,992.07        -45.75%

负债合计                    576,565,517.61    522,648,384.99        10.32%

    1、报告期内,存货较年初增加36.49%,主要系报告期内正执行未完工项目
  增加,合同履约成本增长所致。

    2、报告期内,其他流动资产较年初下降 77.37%,主要系供应链票据减少所
 致。

    3、报告期内,在建工程较年初增加 313.16%,主要系公司产业园配套建设增
 加所致。

    4、报告期内,短期借款较年初下降 48.91%,主要系公司偿还短期借款所致。
    5、报告期内,应交税费较年初增加 54.45%,主要系年末应交增值税较年初
 增加所致。

    6、报告期内,其他流动负债较年初增加 30.27%,主要系待转销项税额增加
 所致。

    7、报告期内,递延收益较年初下降 86.67%,主要系递延收益摊销所致。
    (二)2021 年所有者权益情况

                                                              单位:元

            项目                2021 年末          2020 年末        同比增减

 股本                          55,668,540.00    55,668,540.00          -


资本公积                    195,415,554.34    195,303,335.86      0.06%

盈余公积                      30,636,408.07    30,636,408.07          -

未分配利润                  220,481,295.78    206,978,994.85      6.52%

归属于母公司所有者权益      502,201,798.19    488,587,278.78      2.79%

所有者权益合计              543,832,950.66    523,562,780.76      3.87%

    1、报告期内,资本公积较年初增加 0.06%,主要系所致烽理光电吸收合并烽理
 系统产生的权益性交易所致。

    2、报告期内,未分配利润、归属于母公司所有者权益变动的主要原因是公司 实现盈利所致。

  (三)2021 年度经营成果

                                                            单位:元

        项目            2021 年度      2020 年度      同比增减

 营业收入                  443,777,501.66    425,776,479.87        4.23%

 营业成本                  312,205,492.93    306,529,516.37        1.85%

 税金及附加                3,082,400.05      1,615,772.82        90.77%

 销售费用                  51,573,793.80    45,549,560.31        13.23%

 管理费用                  22,319,748.90    18,425,883.30        21.13%

 研发费用                  36,614,594.73    31,808,137.24        15.11%

 财务费用  
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